MezzVest-Awards

 

MezzVest
100 Pall Mall
London SW1Y 5NQ
United Kingdom

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MezzVest will continue its proven strategy consistently focusing on:

  • disciplined credit analysis,
  • long-term buy and hold lending,
  • maintaining portfolio diversification across geographies and sectors,
  • where appropriate, utilizing an active asset/liability management programme and
  • treating all business relationships as valued partners.

MezzVest follows a long-term buy and hold strategy, with each subordinated debt investment monitored proactively and throughout the loan holding period. Most of MezzVest's investments benefit from second or third ranking security over assets and shares of the borrower, if required, are independently rated by the rating agencies.

 

MezzVest use equity provided by the funds' limited partners along with affordable debt, to finance the acquisition of subordinated loans. MezzVest benefit from the Team’s expertise in applying leverage to a handpicked diversified portfolio of European mezzanine loans.

 

MezzVest has essential business relationships with limited partners, financial sponsors, lenders, borrowers, rating agencies and the MezzVest Team members themselves. MezzVest believes very strongly in the principles of transparency, collaboration, reliability and being rational. The resulting long-term relationships with its partners have proven vital to MezzVest’s success.